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Carnelian Capital Compounder PMS Strategy focuses on identifying companies that benefit from structural shifts in the economy, aiming for long-term wealth creation.

The Carnelian Capital Compounder PMS Investment Approach is based on investing in businesses moving from unorganized to organized sectors or gaining market leadership.

It falls under the MULTI CAP & FLEXI CAP investment category, offering diversified exposure. As of now, the strategy has a total AUM of Rs.1899.95 Cr.

Over the last 1 year, it delivered a strong return of 15.08%, outperforming many peers. Its performance is benchmarked against the S&P BSE 500 TRI, ensuring broad market comparison.

Carnelian Capital Compounder PMS Strategy or Investment Approach - PMS Details

Strategy Name

Capital Compounder

Start Date

15 May 2019

Category

MULTI CAP & FLEXI CAP

Benchmark

S&P BSE 500 TRI

AUM (Rs.)

Rs.1899.95 Cr.

Min. Investment

Rs.50 Lakhs

Fund Manager

Mr. Kunal Shah

1 Yr. Return

15.08%

3 Yr. Return

24.16%

5 Yr. Return

17.74%

Carnelian Capital Compounder Portfolio Management Strategy - Portfolio Characteristics

No. of Stocks

25

Top 5 Stocks%

34.45%

Top 5 Sectors%

77.08%

Portfolio Age

7 Yrs, 1 Months

SIP

Available

STP

Available

Average Market Cap

Not Disclosed

Carnelian Capital Compounder PMS Strategy - Cost or Charges

Fixed Fees

2.50% of Fund Value (AMC)

Variable AMC

1.5% of Fund Value

Variable Profit Sharing

15% (if above 8% profit)

Exit Load 1st Year

1.00%

Exit Load 2nd Year

0.00%

Exit Load 3rd Year

0.00%

Carnelian Capital Compounder PMS Investment Approach - Portfolio Composition

Large Cap

26.66%

Mid Cap

46.46%

Small Cap

25.17%

Cash & Equivalent

1.71%

Check out Business Opportunities with Similar Brands

Carnelian Capital Compounder Portfolio Strategy - Top 5 Sectors

Consumption

11.15%

BFSI - credit

18.53%

Pharma, API & Chemical

25.99%

Engineering & Capital Goods

10.55%

BFSI - Non Credit

10.86%

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